STOCK EXCHANGE ANNOUNCEMENT

7 September 2016

NOTIFICATION OF ALLOTMENT OF SECURITIES

For the purposes of Listing Rule 7.12.1 of the NZX Debt Market Listing Rules, Spark Finance Limited advises that the following securities have been issued pursuant to its offer of unsecured unsubordinated fixed rate bonds:

7.12.1
  1. Class of security Unsecured, unsubordinated fixed rate bonds with a maturity date of 7 September 2026 (SPF570 Bonds)

    ISIN NZSPFD0570L5

  2. Number of SPF570 Bonds issued 125,000,000

  3. Issue price $1.00 per bond

  4. Payment terms Cash payment

  5. Amount paid up SPF570 Bonds have been fully paid up

  6. The principal terms of securities As set out in the final Terms Sheet dated 31

    August 2016 (Terms Sheet)

  7. Percentage of total class of securities issued 100%

  8. Reason for issue General corporate purposes

  9. Authority for issue Board resolution dated 26 August 2016

  10. Terms of issue As set out in the Terms Sheet

  11. Total number of securities of class after issue

    125,000,000

  12. Treasury stock Not applicable

  13. Date of issue 7 September 2016 Yours faithfully

Silvana Roest Company Secretary

Spark Finance Limited

Spark City, 167 Victoria Street West, Private Bag 92028, Auckland, New Zealand

Spark New Zealand Ltd. published this content on 07 September 2016 and is solely responsible for the information contained herein.
Distributed by Public, unedited and unaltered, on 06 September 2016 21:45:02 UTC.

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